Position Overview
Operating within a scaling logistics provider, this full-time role is essential for driving daily financial control, debit order management, and multi-currency bank allocations. Designed with excellent day-to-day flexibility, this position offers a mostly remote structure with ad-hoc collaboration sessions at the Waterfall/Midrand offices, acting as a key operational anchor reporting directly to the Finance Director. This full-time role is critical for driving the accurate financial control, reconciliation, and reporting of the collections ecosystem.
Key Responsibilities
Cashflow & Banking Operations: Take full daily ownership of banking systems, managing high-volume allocations, clearing accounts, and processing swift customer refunds.
Debit Order & Revenue Control: Oversee the integrity, execution, and reconciliation of regular debit order runs to ensure complete revenue assurance.
Foreign Exchange Administration: Handle transaction processing across internati...